TechnipFMC plc (FTI)

Price$79.84Cached quote
FTINYSE
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Financial charts

Revenue

Net income

Total cash / debt

CashTotal debt

Financial statements

11 annual periodsNewest to oldest
20252024202320222021202020192018201720162015
Revenue$9.93B$9.08B$7.82B$6.70B$6.40B$6.53B$6.95B$12.55B$15.06B$9.20B$11.47B
Gross profit—$1.72B$1.28B$907.1M————$12.65B$9.20B$11.36B
Gross margin—18.95%16.40%13.54%————84.04%100.00%99.02%
Research & development$83.1M$73.4M$69.0M$67.0M$78.4M$75.3M$149.5M$189.2M$212.9M$105.4M$95.5M
Operating expenses$788.4M$564.2M$624.8M$531.2M————$11.30B$8.43B$10.81B
Operating income$1.44B$1.16B$658.2M$375.9M$183.4M−$3.24B−$2.11B−$532.7M$1.35B$766.1M$553.6M
Operating margin14.46%12.74%8.41%5.61%2.86%−49.69%−30.29%−4.24%8.99%8.33%4.83%
EBITDA$1.88B$1.55B$1.04B$753.1M$568.8M−$2.83B−$1.64B$17.7M$1.97B$1.07B$892.3M
EBITDA margin18.91%17.06%13.24%11.24%8.88%−43.38%−23.56%0.14%13.08%11.60%7.78%
Net income$963.9M$842.9M$56.2M−$107.2M$13.3M−$3.29B−$2.42B−$1.92B$113.3M$393.3M$14.4M
Net profit margin9.70%9.28%0.72%−1.60%0.21%−50.34%−34.75%−15.31%0.75%4.28%0.13%
Basic EPSper basic share$2.34$1.96$0.13-$0.24$0.03-$7.33-$5.39-$4.20$0.24$3.29$0.13
Diluted EPSper diluted share$2.30$1.91$0.12-$0.24$0.03-$7.33-$5.39-$4.20$0.24$3.16$0.13

Owners

Reported shareholders

Reference date Jun 30, 2026
BlackRock, Inc. · 11.83% of listed sharesPRICE T ROWE ASSOCIATES INC /MD/ · 6.55% of listed sharesVANGUARD PORTFOLIO MANAGEMENT LLC · 4.79% of listed sharesVANGUARD CAPITAL MANAGEMENT LLC · 4.59% of listed sharesSTATE STREET CORP · 3.98% of listed sharesAQR CAPITAL MANAGEMENT LLC · 3.74% of listed sharesCapital World Investors · 3.66% of listed sharesFMR LLC · 3.20% of listed sharesInvesco Ltd. · 3.05% of listed sharesT. Rowe Price Investment Management, Inc. · 2.36% of listed sharesGEODE CAPITAL MANAGEMENT, LLC · 2.20% of listed sharesBoston Partners · 2.20% of listed sharesJPMORGAN CHASE & CO · 1.93% of listed sharesMASSACHUSETTS FINANCIAL SERVICES CO /MA/ · 1.86% of listed sharesAMERIPRISE FINANCIAL INC · 1.53% of listed sharesHardman Johnston Global Advisors LLC · 1.48% of listed sharesNORGES BANK · 1.21% of listed sharesDIMENSIONAL FUND ADVISORS LP · 1.12% of listed sharesAmundi · 1.11% of listed sharesNORTHERN TRUST CORP · 1.00% of listed shares
11.83%of listed shares
BlackRock, Inc.46.48M shares · Jun 30, 2026
View holders
Top 20 reported holders of FTI
Holder% owned
BlackRock, Inc.
11.83%46.48M shares
PRICE T ROWE ASSOCIATES INC /MD/
6.55%25.72M shares
VANGUARD PORTFOLIO MANAGEMENT LLC
4.79%18.81M shares
VANGUARD CAPITAL MANAGEMENT LLC
4.59%18.03M shares
STATE STREET CORP
3.98%15.63M shares
AQR CAPITAL MANAGEMENT LLC
3.74%14.69M shares
Capital World Investors
3.66%14.38M shares
FMR LLC
3.20%12.58M shares
Invesco Ltd.
3.05%12M shares
T. Rowe Price Investment Management, Inc.
2.36%9.28M shares
GEODE CAPITAL MANAGEMENT, LLC
2.20%8.65M shares
Boston Partners
2.20%8.64M shares
JPMORGAN CHASE & CO
1.93%7.59M shares
MASSACHUSETTS FINANCIAL SERVICES CO /MA/
1.86%7.31M shares
AMERIPRISE FINANCIAL INC
1.53%6.03M shares
Hardman Johnston Global Advisors LLC
1.48%5.82M shares
NORGES BANK
1.21%4.73M shares
DIMENSIONAL FUND ADVISORS LP
1.12%4.41M shares
Amundi
1.11%4.36M shares
NORTHERN TRUST CORP
1.00%3.93M shares

Percentages use 392.8M shares of this listed class outstanding on Jun 30, 2026.

Gray completes the 100% scale. Reported positions may overlap; holders have different reporting dates.

Source: SEC Form 13F ↗Updated Sep 29, 2026 · Quarterly data

Insider buys & sells

Jul 1, 2024–Jun 30, 2026
Buys0$0.00 disclosed value
Sells (SEC code S)37$129.87M disclosed value
37 recent transactions
TransactionInsiderTypeSharesPriceValueOwned after
May 19, 2026Form 4OLEARY JOHN C GDirectorSellOrdinary Shares6.3K$72.79$462.2K131.3K
May 5, 2026Form 4Duffe LuanaEVP, New EnergySellOrdinary Shares1.9K$74.39$139.1K77.0K
May 5, 2026Form 4Priestly Kay GDirectorSellOrdinary Shares6.0K$74.66$448.0K127.2K
May 5, 2026Form 4FARLEY CLAIRE SDirectorSellOrdinary Shares4.5K$74.66$336.0K174.1K
Mar 24, 2026Form 4Zurquiyah Rousset SophieDirectorSellOrdinary Shares6.3K$69.32$440.2K59.9K

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